Judgments

Decision Information

Decision Content

T-232-86
Great Lakes Pilotage Authority Ltd. (Plaintiff)
v.
Misener Shipping Limited (Defendant)
INDEXED AS: GREAT LAKES PILOTAGE AUTHORITY LTD. V. MISENER SHIPPING LTD.
Trial Division, Denault J.—Montréal, November 25 and 26, 1986; Ottawa, May 8, 1987.
Maritime law — Pilotage — Regulations s. 4(1)(c)(ii) whereby, on re-entering Canadian waters, every ship having left Great Lakes or Canadian inland waters subject to compul sory pilotage ultra vires regulatory authority as having no connection with navigational safety — Great Lakes Pilotage Regulations, C.R.C., c. 1266, s. 4 (as am. by SOR/83-256) — Pilotage Act, S.C. 1970-71-72, c. 52, ss. 12, 14, 34.
Two of the defendant's ships, lakers able to navigate on the open sea, re-entered Canadian waters in May 1985 after over seas voyages during the period in which the St. Lawrence Seaway was closed. When the plaintiff asked the defendant, pursuant to the Pilotage Act, to take licensed pilots on board, on the ships' arrival in waters under its jurisdiction, the owner refused. This is a claim for pilotage charges allegedly due by the defendant for not using the pilots whose services it should have retained pursuant to the Act. The defendant refuses to pay, arguing that subparagraph 4(1)(c)(ii) of the Regulations, which makes every ship leaving the Great Lakes or inland waters of Canada, except for occasional hometrade voyages, subject to compulsory pilotage on re-entering Canadian waters, is ultra vires the regulatory authority conferred by sections 12 and 14 of the Act. It is admitted that the ships and their masters otherwise met the requirements of the Regulations for being exempt from compulsory pilotage.
Held, the action should be dismissed. Subparagraph 4(1)(c)(ii) is declared ultra vires the regulatory capacity con ferred on the Authority by sections 12 and 14 of the Act in that it has no connection with navigational safety.
The ultimate object of the Act is to ensure navigational safety within the Great Lakes region and the St. Lawrence Seaway. The Regulations adopted thereunder, inter alia the provisions concerning compulsory pilotage and pilotage charges, are all subordinate to the main object.
It has already been established by the Supreme Court of Canada in Alaska Trainship that requirements having nothing to do with navigational safety, such as the country of registry, are ultra vires the regulatory authority. Based on the Federal Court of Appeal decision in Alaska Trainship, safety consists of three elements: (1) factors connected with the physical characteristics of the ship; (2) the competence of the master or officer responsible for piloting the ship; (3) their respective
knowledge of local waters. The disputed requirement herein relates to none of the above. The mere fact that a ship leaves Canadian waters cannot have the effect of transforming it into a danger to navigational safety when it returns to Canadian waters. And subparagraph 4(1)(c)(ii) creates a distinction based on the displacement of certain ships, not on the physical characteristics of so-called "salty lakers" as opposed to "lakers".
CASES JUDICIALLY CONSIDERED
APPLIED:
Alaska Trainship Corporation et al. v. Pacific Pilotage Authority, [1981] 1 S.C.R. 261, confirming [1980] 2 F.C. 54 (C.A.) and [1978] 1 F.C. 411 (T.D.); The King v. National Fish Company Ltd., [1931] Ex.C.R. 75; Texaco Canada Ltd. v. Corporation of City of Vanier, [1981] 1 S.C.R. 254; Prince George (City of) v. Payne, [1978] 1 S.C.R. 458.
COUNSEL:
Laurent Fortier for plaintiff.
Jacques A. Laurin and Nancy G. Cleman for
defendant.
SOLICITORS:
Stikeman, Elliott, Montréal, for plaintiff.
McMaster, Meighen, Montréal, for defen dant.
The following is the English version of the reasons for judgment rendered by
DENAULT J.: The plaintiff is claiming pilotage charges from the defendant as the latter's ships navigated in waters under its jurisdiction without using the pilots whose services it should have retained pursuant to the Pilotage Act (S.C. 1970- 71-72, c. 52). The defendant refuses to pay, argu ing that the regulatory provision (subpara- graph 4(1)(c)(ii) of the Great Lakes Pilotage Regulations, C.R.C., c. 1266, as amended (SOR/ 83-256)), which makes every ship leaving the Great Lakes or inland waters of Canada, except for occasional home-trade voyages, subject to com pulsory pilotage, is ultra vires the regulatory au thority conferred by sections 12 and 14 of that Act.
LEGISLATION:
Before analysing the facts and points of law, it will be useful to briefly review the legislative back ground to this matter. The Great Lakes Pilotage Authority Ltd. is a corporation the objects of which are to establish, operate, maintain and administer an efficient pilotage service in the inter ests of safety within the Great Lakes region and the St. Lawrence Seaway. It holds its powers under the Pilotage Act, which authorizes it inter alia not only to make the general regulations necessary to attain these objects, in particular by prescribing the ships or classes of ships that are subject to compulsory pilotage, but also to impose pilotage charges on any ship subject to compulsory pilotage which proceeds through a compulsory pilotage area without being under the conduct of a licensed pilot. The ship is then liable to the Au thority for all pilotage charges as if it had been under the conduct of a licensed pilot (section 34).
In 1983 the plaintiff amended section 4 of its Great Lakes Pilotage Regulations, which now reads as follows:
4. (1) Subject to subsection (2), every ship of more than 300 gross registered tons is subject to compulsory pilotage unless it is
(a) a ferry operating on a regular schedule;
(b) a tug that is
(i) not engaged in towing or pushing another ship or object, or
(ii) engaged in towing or pushing a ship that is
(A) of less than 79.25 m in length, or
(B) within a harbour;
(c) a ship that
(i) is inspected and certified as to safety on behalf of the Board of Steamship Inspection established pursuant to the Canada Shipping Act,
(ii) navigates only on the Great Lakes or inland waters of Canada except for occasional home-trade voyages, and
(iii) is under the conduct of a master or deck watch officer who
(A) is a regular member of the complement of the ship,
(B) holds a valid certificate of competency of the proper grade and class issued by the Minister of Transport or recognized by him for the purpose of subsection 130(1) of the Canada Shipping Act, and
(C) has been certified within the preceding twelve months by the owner of the ship as having completed, in the three year period preceding the date of the certifi cate, in the capacity of master or deck watch officer, not less than ten one-way passages of the compulsory pilot- age area in which the ship is navigating; or
(d) a ship that
(i) navigates only on the Great Lakes or inland waters of Canada except for occasional home-trade voyages, and
(ii) is under the conduct of a master or deck watch officer who holds a certificate of competency or similar document issued pursuant to the laws of the United States that authorizes that person to have the conduct of the ship within the compulsory pilotage area in which the ship is navigating.
It may be worth mentioning that the amend ment to this regulation was made necessary by a judgment of the Supreme Court of Canada in Alaska Trainship Corporation et al. v. Pacific Pilotage Authority, ([1981] 1 S.C.R. 261), in which the highest court ruled ultra vires the ear lier regulation making the requirement of compul sory pilotage depend on the ship's country of regis try. The Supreme Court thus approved in essence the judgments of the Federal Court of Appeal ([1980] 2 F.C. 54) and of the Federal Court Trial Division [[1978] 1 F.C. 411], which had both in varying degrees disapproved this regulation. The courts then held that the Authority had exceeded its functions: it had a duty to regulate in the interests of safety, but the country of registry was a superfluous requirement having nothing to do with safety, which was already covered by the other conditions of the Regulations. Following these judgments the plaintiff, which had adopted Regulations similar to those of the Pacific Pilotage Authority, amended the old Regulations to remove any reference to the ship's country of registry. The compulsory pilotage requirement now applies to every ship of more than 300 tons except ships holding a certificate from the Board of Steamship Inspection, on which the master or a deck watch officer is qualified and which "navigates only on the Great Lakes or inland waters of Canada except for occasional home-trade voyages".
FACTS:
The facts in the case at bar are quite straight forward, and indeed were for the most part the subject of admissions by the parties.
The Selkirk Settler and the Canada Marquis, the two ships involved in this case, are owned by the defendant. Both fall into the category of "lak- ers", ships which as their name suggests navigate on the waters of the St. Lawrence Seaway and the Great Lakes. However, due to their particular construction they are able to navigate on the open sea. Both ships are in perfect condition, having been launched quite recently, in 1983.
On May 3, .1985 the Canada Marquis re entered Canadian waters after an overseas voyage during the period in which the St. Lawrence Seaway was closed. Captain M. Armstrong, an employee of the defendant, took over the ship when it arrived at Sept-ÃŽles. Captain Armstrong, who is an experienced pilot, has navigated on the Great Lakes for over thirty years. In the winter of 1985, while the, Seaway was closed for the winter, however, he was temporarily laid off. When the Great Lakes Pilotage Authority asked the defen dant to take a licensed pilot on board the Canada Marquis, on the ship's arrival in waters under its jurisdiction, the owner objected. According to the owner, Captain Armstrong and the other members of the crew met all the safety requirements of the Act.
On May 10, 1985 it was the Selkirk Settler's turn to return to home base. This ship was piloted by Captain E. Grieve, also an old sea hand. The defendant again refused to allow on board a pilot designated by the Great Lakes Pilotage Authority. I should mention that Captains Armstrong and Grieve both met the requirements of subparagraph 4(1)(c)(iii) of the Regulations in every respect.
Acting pursuant to section 34 of the Act, the plaintiff billed Misener Shipping Limited for pilot- age charges not paid by the latter. The amount of $17,574 is admitted, but the defendant refuses to pay it.
The parties also admitted that, in respect of both its ships, the defendant had complied with the conditions contained in subparagraph 4(1)(c)(i) of the Regulations, and that Captains M. Armstrong and E. Grieve met the conditions of subparagraph 4(1)(c)(iii) (Exhibits D-4 and D-5). The overseas voyages made by each of these two ships were the subject of an admission (see D-1 and D-2). It was noted that since their inaugural voyage in 1983 the Canada Marquis and the Selkirk Settler have both navigated between St. Lawrence and Great Lakes harbours when the Seaway was open, that is roughly from April to November, and undertaken ocean voyages from December to April of each year. A photo of the Selkirk Settler (the Canada Marquis is identical) was filed as D-3.
Only the chairman of its board of directors, Richard Armstrong, testified for the plaintiff and we will refer to his testimony below.
Only one witness was called for the defence, Captain Mark Vogt, director of navigation and safety for Misener Shipping Limited. He gave the chief characteristics of these two ships, which were each built at an approximate cost of $42,000,000 in 1983. They fall in the category of "lakers", in that they are built for navigation on the Great Lakes but are of a stronger construction and have the features and equipment necessary for ocean navigation. Though they are able to navigate in inland waters or on the open sea indiscriminately, the witness refused to regard them as "salty lak- ers", as this class of ship is not recognized either by Canadian regulations or by the Lloyds Regis ter. In fact, these ships can do everything that a "laker" can do, but the reverse is not true. The ships have obtained their certificate of inspection and their pilots have the necessary qualification for navigating within the waters controlled by the plaintiff. Five masters and five deck watch officers were trained for these ships, and Captain Arm- strong took over the Canada Marquis on its arrival at Sept-ÃŽles on May 3, 1985. He has had experi ence with Great Lakes navigation since 1950. He was temporarily laid off at the end of the naviga tion season in 1984 and did not return to the ship until May 3, 1985. Captain Grieve also has wide experience of Great Lakes navigation. At the end
of the navigation season in fall 1984, he took two months' vacation and then returned on board his ship, which he took to Canada, in the port of Sept-Iles, where he took on a cargo of iron des tined for Chicago. He later stated in re-examina tion that in his opinion their masters and deck watch officers, from their special knowledge of the ships, which they have had special training in controlling, and because of the experience they have acquired navigating not only in Canadian inland waters but elsewhere, are just as well or better qualified than the plaintiffs pilot.
LAW:
There is no doubt that if the regulatory provi sion, subparagraph 4(1)(c)(ii), is held to be intra vires the Great Lakes Pilotage Authority Ltd. the action must be allowed, since the Pilotage Act provides in section 34 as follows:
34. Except where the Authority waives compulsory pilotage, when a ship subject to compulsory pilotage proceeds through a compulsory pilotage area not under the conduct of a licensed pilot or the holder of a pilotage certificate, the ship is liable to the Authority in which the compulsory pilotage area is situated for all pilotage charges as if the ship had been under the conduct of a licensed pilot.
In section 12 of the Act the legislature has specified the objects and powers pertaining to a regional authority:
12. The objects of an Authority are to establish, operate, maintain and administer in the interests of safety an efficient pilotage service within the region set out in respect of the Authority in the Schedule.
Accordingly, in addition to its powers of main taining and administering a pilotage service, the Authority has a regulatory power. Section 14 provides:
14. (1) An Authority may, with the approval of the Gover nor in Council, make regulations necessary for the attainment of its objects, including, without restricting the generality of the foregoing regulations
(a) establishing compulsory pilotage areas;
(b) prescribing the ships or classes of ships that are subject to compulsory pilotage;
The judgments rendered by both the Supreme Court and the Federal Court of Appeal in the Alaska Trainship case provide important clarifica tion of the concept of navigational safety contained in section 12 of the Act and the scope of subsection 14(1), in particular its paragraph (b).
Counsel for the plaintiff does not question the power of any court of law to vacate a regulation which is not consistent with the objects stated in the enabling Act: The King v. National Fish Com pany Ltd., [1931] Ex.C.R. 75, at page 81; Texaco Canada Ltd. v. Corporation of City of Vanier, [1981] 1 S.C.R. 254. Similarly, when an adminis trative authority performs an act in the course of its duties it must not base that act on consider ations unrelated to the legislation. It must take its cue solely from the spirit of the legislation creating it and the objects contemplated by that legislation: Prince George (City of) v. Payne, [1978] 1 S.C.R. 458, at page 463.
In section 14 the Act confers on Authorities the power to enact regulations "necessary for the attainment of [their] objects", and these may include "prescribing the ships or classes of ships that are subject to compulsory pilotage".
This provision raises two questions: (1) what are general regulations necessary to the attainment of the objects? Are they whatever may be suitable for attainment of the objects, or was the intention by this means to further limit the discretionary power of the Authority? (2) How far should the concept of navigational safety, the primary object of the Act, be taken?
On the first question, it would appear that by using the word "necessary" rather than "useful" or "suitable", words which are sometimes found in provisions in which the legislature confers a regulatory power, Parliament intended to further limit not the exercise of that power, since it took care to, add in the enabling provision "without restricting the generality of the foregoing", but to limit it to its true object, navigational safety. In their work on administrative law [Traité de droit administratif] (Tome 1, page 955) Dussault and Borgeat make the following observation regarding legislation f which allows a regulatory body to
"adopt all regulations necessary to give effect to a statute":
[TRANSLATION] In such a case, it is clear that Parliament does not want to rely solely on the discretion of the regulatory authority, and prefers to impose an objective test of whether the regulations adopted are "necessary". Such a provision, far from increasing the discretion of the body with regulatory powers, actually limits its eventual scope by imposing on it a further condition or requirement which provides even more basis for a legal challenge. See The Municipality of Metropoli tan Toronto v. The Corporation of the Village of Forest Hill, [1957] S.C.R. 569.
As regards the objects contemplated by the Pilotage Act, which Authorities must refer to in exercising their regulatory powers, the Supreme Court in Alaska Trainship (op. cit., at pages 268-269) took care to explain these:
It is obvious from the opening words of s. 14(1) that the regulation-making power of an Authority is circumscribed by the requirement that the regulations must be in pursuance of or in conformity with its objects. Those objects are specified in s. 12 of the Act in the following terms:
12. The objects of an Authority are to establish, operate, maintain and administer in the interests of safety an efficient pilotage service within the region set out in respect of the Authority in the Schedule.
I would emphasize that s. 14(1) speaks of "regulations neces sary for the attainment of its objects". The fact that these words are followed by the words "including, without restricting the generality of the foregoing", does not, in my opinion, enlarge the regulation-making powers although it would com mand a liberal construction of the dominating consideration "in the interests of safety" specified in s. 12. The regulation-mak ing authority under s. 14 is concerned fairly exclusively with the establishment of pilotage areas and with licences and pilotage certificates and is thus closely connected with safety of a pilotage service. [My emphasis.]
In that case, as we wrote at the outset, the Court had to determine the validity of a regulation making a ship's place of registry a condition for exemption from compulsory pilotage. Dickson C.J. stated that there was no connection between a ship's flag and navigational safety. The provision at issue was accordingly held ultra vires the Au thority as regards regulation.
Counsel for the plaintiff in no way disputed the correctness of the judgment in Alaska Trainship, supra. On the contrary, relying on the aforesaid observation of the Chief Justice, he argued:
"[that] a liberal construction of the dominating consideration 'in the interests of safety' specified in s. 12" should lead this Court to conclude that subparagraph 4(1) (c) (ii) of the Regulations is intra vires the regulatory authority conferred on the Authorities by the Act. He alleged that the three criteria set forth in paragraph 4(1) (c) of the Regulations cannot be separated and each of them relates to navigational safety. In his submission, the objective contemplated by the Regulations is to favour regular users of the system, namely those who are familiar with navigation in Canadian inland waters.
I think there can be no question that a liberal construction is essential. However, that construc tion should not stray beyond the limits indicated by sections 12 and 14 of the Act. The ultimate purpose of any regulation has to be the provision of a pilotage service intended to guarantee naviga tional safety. It follows that a regulation will not be valid if, for example, it was adopted primarily for financial reasons. In the case at bar counsel for Misener Shipping Limited, while not arguing that the plaintiff acted in bad faith, suggested that the board of directors, which is made up in part of pilots, had a certain interest in adopting the provi sion. The methodical application of this regulation considerably reduces the number of ships which will be exempt from compulsory pilotage. In the Alaska case, supra, the Federal Court of Appeal and the Supreme Court refused to deny the Au thority, in the absence of persuasive allegations of bad faith, the power to exercise its regulatory authority, even though there may be a resulting pecuniary benefit (pages 273-274 S.C.R.). Never theless, it is clear from these two judgments that this "interest" can be taken into account when there is a question of whether the requirement of compulsory pilotage is indeed connected with navi gational safety and not strictly considerations of an economic or financial nature. In the latter case, such a requirement would not be consistent with the objects contemplated by the enabling Act.
In Alaska Trainship, supra, the Supreme Court adopted the reasoning of the Federal Court of Appeal as to what is included in the concept of
"navigational safety". Le Dain J. (as he then was) said the following (op. cit., pages 78-79 F.C.):
While safety is best assured by actual verification and certifi cation of an officer's competency for the conduct of a vessel in a particular pilotage area, I am of the view that country of registration or ship's flag cannot be said, as a matter of principle, to be wholly irrelevant to the question of safety of navigation as it is affected by the conduct of the vessel. Apart from such factors as size, manoeuvrability and navigational aids—factors related to the physical characteristics of a ship and its equipment—the essential factors bearing on safety of navigation, in so far as the conduct of the vessel is concerned, are the competency of the master or officer who has the conduct of the vessel and his knowledge of the local waters. Country of registration may raise a presumption of competency and knowledge of local waters. It may not be a sufficient 'criterion by itself but it cannot be said to be wholly irrelevant to the question of safety.
On the other hand, I am of the opinion that in the context of section 9(2)(a)(iii) of the Regulations country of registration is not relevant to the question of safety. Since the requirement of safety is assured by the other condition specified therein con cerning the competency of the master or deck watch officer and his experience with local waters, country of registration is a superfluous requirement and can only be there to serve some other purpose not authorized by the Act. It was common ground that apart from the country of registration the S.S. Alaska fell squarely within the conditions of this exception to compulsory pilotage. I agree with the contention of the owners and operators of the vessel that this provision discriminates against them on a ground that, in the particular context, is not authorized by the Act. The same can be said, I think of section 10(1)(a) of the Regulations with respect to waiver. There the reference to American registration may serve to indicate the nature of the certificate of competency that is required, but I think the same principle applies. Where the conditions of waiver are spelled out in terms of specific competency and experience with the local waters, country of registration is irrelevant. [My emphasis.]
To use the language of Dickson C.J., the issue in the case at bar may be expressed as follows: "The short question is whether conditioning the claim for exemption on ... [the fact that a ship has not left Canadian inland waters] can fairly be said to be a matter of or connected with safety in realiza tion of the objects of the Authority under s. 12" (page 275 S.C.R.).
In order to enjoy the exemption specified in paragraph 4(1) (c) of the Regulations, the defen dant must meet the three criteria it contains. For
greater clarity we again reproduce a part of this section:
4. (1) Subject to subsection (2), every ship of more than 300 gross registered tons is subject to compulsory pilotage unless it is
(c) a ship that
(i) is inspected and certified as to safety on behalf of the Board of Steamship Inspection established pursuant to the Canada Shipping Act,
(ii) navigates only on the Great Lakes or inland waters of Canada except for occasional home-trade voyages, and
(iii) is under the conduct of a master or deck watch officer who
(A) is a regular member of the complement of the ship,
(B) holds a valid certificate of competency of the proper grade and class issued by the Minister of Transport or recognized by him for the purpose of subsection 130(1) of the Canada Shipping Act, and
(C) has been certified within the preceding twelve months by the owner of the ship as having completed, in the three year period preceding the date of the certifi cate, in the capacity of master or deck watch officer, not less than ten one-way passages of the compulsory pilot- age area in which the ship is navigating; [My emphasis.]
Bearing in mind the definition of "safety" as stated by the Court of Appeal, there is no doubt that subparagraphs (i) and (iii) impose require ments for compulsory pilotage which are entirely consistent with the objectives contemplated by sec tions 12 and 14 of the Act. The first of those subparagraphs relates to the physical characteris tics of the ship and its equipment. Marine safety clearly requires that only ships in good condition may sail. The third subparagraph concerns the competence of the officer in charge of the ship. It goes without saying that he has the heavy burden of maintaining the safety of his own ship and of those he will have to pass on his way. Moreover, it was admitted by the plaintiff that Misener Ship ping Limited complied with the requirements of subparagraphs 4(1)(c)(î) and (iii) of the Regula tions (Exhibits D-4 and D-5). Testifying as to the reasons which led the board of directors to adopt subparagraphs 4(1)(c)(i),(ii) and (iii) of the Regu lations, Mr. Richard Armstrong, the chairman of the board, had no difficulty justifying the existence of the first and last of these subparagraphs. How ever, when it came to defending the reason for the second subparagraph, he was much less confident
and persuasive. On that provision, he restated the plaintiff's major argument that navigational safety requires a comprehensive knowledge of inland waters and that the disputed subparagraph, in pursuit of this objective, is designed to ensure that only competent pilots are allowed to ply the Seaway. Mr. Armstrong was very hesitant when asked to explain the logic of a regulation requiring an oceangoing ship which might make a single overseas voyage to use the services of the plaintiffs pilot on its return.
A. Well, we don't know when a vessel goes out that it's going to do one (1) voyage or any voyages or whether it's going to Rotterdam or Leningrad or the Middle East or South America or Africa. We don't know where it's going and we don't know when it's coming back. Consequently, the Regulation is drawn up in a general fashion.
Q. And the Regulation is there to try and ensure that the vessels that are exempt are safe in navigation?
A. That's the basis of it, yes.
Q. Then why, if a vessel like the Settler or the Marquis goes to Europe in the winter, they become unsafe?
A. Well, I don't know exactly why they become unsafe, but I am going to be sure that the crew that's on there is probably doing navigation, virtually open-water naviga tion. It's my understanding that when they go into a foreign port, that the vessel is handled by a foreign pilot and, consequently, the crew isn't necessarily handling the vessel—it's being done by other persons—and that when the crew is handling the vessel, it's probably in open- water situations where it's a different kind of navigation as opposed to confined waters and the weather conditions and things like that that go with the Great Lakes.
The witness also mentioned several times that this requirement of the Regulations was designed to "refamiliarize" with Canadian inland waters a crew which had been temporarily absent from them.
The following extract from his testimony indi cates the reasoning behind this condition:
BY ME JACQUES LAURIN: (resuming cross-examination)
Q. Now, couldn't that mention of the trade routes of the ship be taken out and that the Regulation would not really change, that everything has to do with the important factors:—knowledge of the master or the deck-watch officer?
A. Well, I don't think that taking it out would necessarily help the situation. It was there, as I said, to recognize a condition where vessels transited or navigated or had voyages in the Great Lakes, by given type of vessel, that crews that were—that will qualify and who were part of that vessel. And that was the—that was the criteria and why an exemption was made and why the certificate issue, I suppose, was not imposed immediately.
Q. But—would you not agree with me that that is redun dant, it really has no bearing on the important factors of knowledge of the master or the deck-watch officer?
A. No, I don't think it's redundant. I think that it has a useful purpose and, when combined with the other ele ments. Because, as I say, you don't know whether a vessel is going, when it goes outside, whether it's going to be chartered outside for a year or if that crew is going to stay with it or just what is going to happen when that vessel goes. And that then puts us in the position of having to write some kind of a Regulation that says if you are out for ten (10) days, you can do something; if you're out for eleven (11), you can't.
Q. That's the only useful purpose, in your view.... A. Well, we have....
Q. (interjecting) ... the fact that the vessel can be outside and be chartered for a year?
A. This criteria has a useful purpose in trying to establish a degree of safety within the Great Lakes.
Q. But what does that have to do with the people who pilot the ship on the Great Lakes?
A. I don't think I understand your question.
Q. You're saying that it has a useful purpose because she may be chartered or may be outside the system, and you've maintained several times that the most important element was the knowledge of the master or the deck- watch officer of the local conditions of navigation
Now, I'm asking you: when the ship comes back— she'd gone outside for a year—what does the element of trade-routes of the ship have to do with this question of safety based on local knowledge?
A. Well, that has to do with the—again, if the crew is a part of that vessel that's been outside for a year and certainly, in that year, they haven't been doing the navigation of the vessel; they haven't had the experience of the Great Lakes—probably not up-to-date necessarily—with the changing conditions and high water and whatever might have taken place; navigational aides [sic] changed or out of place or removed, or added to—whatever.
Q. If I accept what you're saying, even though a master who's exempted doesn't trade for three (3) years, he will
come back on the ship, he'll be exempted. But if he does one (1) voyage outside or the ship on which he's assigned has done one (1) voyage outside and he comes back in the Lakes in the next year, then he's no longer exempted?
A. Well, that does—that does happen under the Regulation, that's the effect of it. As I say, that was established in the first instance as a bridge situation and I don't believe it was ever intended to remain in that, actually, because everywhere else, you'll find that they have to do a mini mum of five (5) trips every year and it was an interim measure to bring about something else and the various resistance and pressure of various people that they were brought about.
In his examination for discovery, Mr. Arm- strong had already had difficulty justifying the reason for the disputed subparagraph:
Again in this cause, was the sole reason you required the vessel to take a pilot due to the fact she had traded in Europe and beyond the limits set out in the Regulations?
Answer: Yes, it has traded beyond the limits of the Regulation.
Question: In your view, does, from a, let's say, a shipping point of view, navigational point of view, does the whereabouts of a ship affects [sic] its safe conduct? That is not clear. Let me try again.
Do you think it matters, from a safety point of view, where the ship has traded?
Answer: There is probably a significant element of safety that is involved in that the vessels that we are talking about are so-called "salty-lakers". They are not designed and built like a Laker. They are built in a different fashion, they have a different construction, a different design; and, therefore, they have firesides and flarebows and far more sail area to be affected by waves—by wind and wave effects handling and also the fact that when they are outside of the system, the masters on those vessels are probably doing largely ocean navigation.
When they are in those European and other ports, they are being handled by pilots of the nationality of the country that they are visiting and so, I think that there is an element of safety involved.
With respect to the matter of the design of the vessel and the handling of it when they do come back into the Lakes system, which is a confined system of narrow channels and locks and a great deal of ship handling and a great deal of weather, they can affect the handling of it.
Question: But wouldn't it, in these cases where we are talking about the Canada Marquis and the Selkirk Settler—they were under, were they not under the command of masters who themselves were exempt from pilotage because they had com pleted the requisite number of trips?
Answer: They had masters. On that give me the exact require ment, but the point that I was making had to do with the fact that when a vessel does go outside, there is a period of time that their familiarity with the Great Lakes is not put into use and
even the handling of the vessel in confined areas is not being done by that master in the foreign ports. It is being done by the pilots.
In short, the plaintiff submitted that since navi gational safety requires a comprehensive knowl edge of inland waters, the disputed provision meets this requirement as it ensures that ships moving along the Seaway will be piloted by competent officers.
In my view, the mere fact that a ship leaves Canadian inland waters cannot have the effect of transforming it into a danger to navigational safety (in the sense defined by the Federal Court of Appeal) when it eventually returns to Canadian territory. As Le Dain J. said in Alaska Trainship, supra, navigational safety in the circumstances is guaranteed by the other conditions set out in para graph 4(1)(c) of the Regulations, in particular the requirements regarding maintenance of the ship (4(1)(c)(i)) and the competence of the officer piloting it (4(1)(c)(iii)). In short, the criterion stated in subparagraph 4(1)(c)(ii) is "a super fluous requirement and can only be there to serve some other purpose not authorized by the Act" (Le Dain J., at page 78). As stated by the Federal Court of Appeal, safety consists of three parts: (1) factors connected with the physical characteristics of the ship; (2) the competence of the master or officer responsible for piloting the ship; and (3) their respective knowledge of local waters. Is a ship less seaworthy or its master less competent because it is re-entering Canadian inland waters? In the case at bar the evidence showed that when it returned to the Seaway the Canada Marquis was taken over by Captain M. Armstrong. There is no question that he was highly qualified to do this, since he had been navigating on the said Seaway for over thirty (30) years. What is more, he could not have "tarnished" his river navigational knowl edge since he had not been on ocean voyages during the winter. It will be recalled that Mr. Armstrong was temporarily laid off during this time. Moreover, the testimony of Captain Vogt, a witness for the defendant, established that a master who navigates overseas during the winter is at least as competent as one who waits patiently at home for the return of warmer weather.
Competence and seaworthiness are the only two criteria for determining the concept of safety. As the Court of Appeal said, it is possible that the fact that a ship has never left the Great Lakes region may raise a presumption of competence and knowledge of local waters (page 78), but that is still not a determining criterion in the sense of sections 12 and 14 of the Act.
The plaintiff further argued that the adoption of subparagraph 4(1)(c)(ii) of the Regulations was authorized by paragraph 14(1) (b) of the Act, which authorizes in the interest of safety the pro mulgation of regulations prescribing the ships or classes of ships that are subject to compulsory pilotage. The plaintiff relied in particular on the following passage from the reasons of Le Dain J. (page 84):
The Authority may well choose as an efficient approach to the control that must be exercised in the interests of safety to make all vessels of a certain size or character subject to compulsory pilotage, with the only exception to the use of a licensed pilot being the provision for pilotage certificates. I cannot see how such an approach could be said to be an ultra vires exercise of its regulatory authority.
In the submission of the plaintiff, subparagraph 4(1)(c)(ii) in practice makes a distinction between ships navigating on the Great Lakes: "lakers" as such and "salty lakers", which do not navigate only on the Great Lakes or Canadian inland waters, but are also built and fitted out for trans oceanic navigation. In its submission, there is a difference between these two (2) classes of ships, in that the "salty lakers" have all the characteris tics of "lakers" but the reverse is not true. Essen tially, the subparagraph has the practical effect "[of making] all vessels of a certain size or charac ter subject to compulsory pilotage (that is, those leaving Canadian inland waters)", which the plaintiff submitted does not make it ultra vires to that extent.
I should mention that before stating the above opinion (for it was in fact only an opinion on a possible amended regulation), Le Dain J. reaf firmed that the Authority "was not entitled to ... attempt to limit a proposed category of exemption or waiver by a criterion irrelevant to safety" (page 84). It is true that regulations concerning the character and size of a ship may be justified in
terms of their possible impact on navigational safety. A ship may in fact constitute a significant source of danger to other ships or, on the contrary, none at all, depending on its tonnage and size. Nonetheless, the ordinary meaning of the words used in paragraph 14(1)(b) of the Act leads the Court to conclude that the classes of ships men tioned in this section are distinguished from each other according to certain criteria based on the physical characteristics of the ships. This is what Le Dain J. means when he speaks of "all vessels of a certain size or character" (My emphasis). In the case at bar, subparagraph 4(1)(c)(ii) creates a distinction which is based not on such distinctions of a physical nature but on the displacement of certain ships. In my opinion, this is not the type of distinction authorized by paragraph 14(1)(b) of the Act. In any case, even assuming that this distinction is legitimate it has to meet a further criterion. It must be justifiable in terms of the safety objective stated in the Act. As pointed out above, there is no connection between the fact of a ship leaving Canadian waters and the concept of safety as defined by the Federal Court of Appeal in Alaska Trainship, supra. It is wrong to say that subparagraph 4(1)(c)(ii) of the Regulations makes a distinction between classes of ships navigating on the Great Lakes. Rather, it seeks to make a dis tinction which has no basis because it is not justi fied by the Act.
Moreover, it appears from the evidence that this slight difference suggested by the plaintiff between the "lakers" and the "salty lakers", besides not being recognized by subparagraph 4(1)(c)(ii), does not exist in fact. Nowhere is there any mention of differences between these two types of ships. Lloyds Registry, which lists all ships operating on the seas and oceans, contains no class of ship classified as "salty lakers". I conclude that sub- paragraph 4(1)(c)(ii) of the Regulations creates discrimination against the defendant which is not authorized by the Act.
CONCLUSION:
I am therefore of the opinion that subparagraph 4(1)(c)(ii) is ultra vires the regulatory capacity conferred on the Authority by sections 12 and 14 of the Act, in that it has no connection with navigational safety as defined by Le Dain J. in Alaska Trainship, supra.
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